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2010年5月,欧洲主权债务危机再次引发了全球金融市场慌乱,欧美股市表现低迷,各主要股指纷纷大幅下滑,道琼斯工业指数下跌7.9%,标准普尔指数下跌8.2%,英国富时100指数和日经指数分别下滑6.6%和11.7%。香港股市呈现先抑后扬走势,但受周边市场拖累,月内下跌6.36%。A股市场多空交织,走势震荡下行,上证综指和深成指分别大跌9.7%和8.59%。受政策前景不确定性的影响,中资银行股价继续承压。
In May 2010, the European sovereign debt crisis once again triggered panic in global financial markets, the performance of European and American stock markets downturn, the major stock indexes have dropped sharply, the Dow Jones industrial average fell 7.9%, the S & P index fell 8.2%, the FTSE 100 index and the day Index dropped by 6.6% and 11.7% respectively. Hong Kong’s stock market showed a trend of slowing down and weakening but its market was dragged down by 6.36% during the month. A-share market, long and short weaving, the trend down shocks, the Shanghai Composite and Shenzhen Component Index fell 9.7% and 8.59%. Affected by the uncertainty of the policy outlook, the share price of Chinese banks continued to be under pressure.